Parent Company’s Financial Statements

Parent company’s profit and loss account

1000 €2023
2022
NET SALES109 841112 676
Change in inventory of finished goods-2 728704
Work performed for own use1919
Other operating income4 0953 223
Raw materials and services
Raw materials and consumables
Purchases during the financial year-56 887-64 776
Change in stocks6 5666 074
Total raw materials and services-50 321-58 701
Personnel expenses
Wages and salaries-18 568-16 423
Social security expenses
Pension expenses-3 379-3 302
Other social security expenses-809-741
Total personnel expenses-22 755-20 466
Depreciation, amortisation and writedowns
Depreciation according to plan-3 471-3 344
Other operating expenses-21 129-20 524
OPERATING PROFIT13 55113 586
Financial income and expenses
Other interest income and other financial
income
Group company7 1222 979
Others37321
Total financial income7 4953 000
Other interest income and other financial
expenses
Group company-137-27
Others-812-765
Total financial expenses-950-792
PROFIT BEFORE APPROPRIATIONS
AND TAXES
20 09615 794
Appropriations
Change in accumulated depreciation
difference
-83-308
Group contribution7 1101 394
Total appropriations7 0271 086
Income taxes-4 054-2 834
PROFIT FOR THE FINANCIAL YEAR23 06914 046

Parent company’s balance sheet

Assets

Non-current assets
1000 €20232022
Intangible assets
Intangible rights3 2173 879
Total intangible assets3 2173 879
Tangible assets
Land and water1 3931 393
Buildings and constructions15 14513 013
Machinery and equipment6 3916 359
Other tangible assets15134
Advance payments and construction in
progress
20 9666 715
Total tangible assets44 04627 513
Investments
Holdings in group companies24 78024 940
Loans owed by group companies243243
Other loans receivable7277
Shares287287
Total investments25 38125 547
TOTAL NON-CURRENT ASSETS72 64456 939
Current assets
1000 €20232022
Stocks
Raw materials and consumables16 97310 197
Finished products4213 149
Other stocks3 7954 005
Advances paid12 541171
Total stocks33 73117 523
Receivables
Trade receivables10 15016 595
Amounts owed by group companies22 45614 980
Loans receivable4450
Other receivables4 436105
Accrued income and prepayments28588
Total receivables37 37031 819
Financial securities
Cash in hand and cash at banks30 7514 584
TOTAL CURRENT ASSETS101 85253 925
TOTAL ASSETS174 496110 864

Equity and liabilities

Equity
1000 €2023
2022
Share capital3 1493 149
Reserve for invested unrestricted equity1 5011 501
Disposition fund37 58828 576
Result for the reporting period23 06914 046
TOTAL EQUITY65 30747 271
Accumulated depreciation difference8 4328 349
Liabilities
1000 €2023
2022
Non-current liabilities
Loans from credit institutions14 65016 426
Other long-term liabilities2 2422 050
Total non-current liabilities16 89218 476
Current liabilities
Loans from credit institutions4 6075 067
Advances received28 3481 133
Trade payables11 50110 281
Amounts owed to group undertakings31 94712 363
Other payables1 1241 916
Accrued expenses6 3396 008
Total current liabilities83 86636 767
TOTAL LIABILITIES100 75855 244
TOTAL EQUITY AND LIABILITIES174 496110 864

Parent company’s statement of cash flows

1000 €2023
2022
Cash flow from operating activities
Operating profit13 55113 586
Adjustments to operating profit2 7873 226
Changes in working capital10 597-14 828
Interest paid-961-674
Interest received57688
Dividends received244
Other financial items-30
Income taxes paid-4 558-1 088
Net cash generated from operating activities22 013315
Cash flow from investing activities
Investments in tangible and intangible assets-17 458-5 781
Sale of shares in subsidiaries2 9610
Investments in subsidiaries0-271
Change in loan receivables5-18
Net cash used in investing activities-14 492-6 070
Cash flow from financing activities
Proceeds from short-term borrowings0304
Repayments of short-term borrowings-8190
Proceeds from long-term borrowings1 0442 000
Repayment of long-term borrowings-2 270-3 379
Dividends paid-5 034-3 423
Subsidiary group account*)17 4354 685
Dividens from group undertakings6 8952 908
Received group contribution paid1 3941 745
Net cash used in financing activities18 6454 839
CHANGE IN CASH AND CASH EQUIVALENTS26 167-916
Cash and cash equivalents at the beginning
of the period
4 5845 500
Change during the period26 167-916
Cash and cash equivalents at the end of the period30 7514 584
*)Subsidiaries’ group account moved to financing cash flow, also adjusted in 2022